Thanks, Ismael! Yes, as it usually happens, when I summarized the problem, 
I realized there must be another way of approaching it and found exactly 
this switch. Hence I removed the original question. 
Works great now and I can finally fully compare my reports to the ones I 
receive from the institutions.

On Monday, 4 January 2021 at 4:53:26 pm UTC+1 [email protected] 
wrote:

> Hello,
>
> > In my case - there are a few funds which were purchased in EUR so I keep 
> > them under EUR sub-account. However, they pay distributions in USD or 
> AUD.
> > When I'm comparing the reports with the broker, it is tedious to get the 
> > balances right since these accounts are under the EUR sub-account in 
> Ledger.
> > Getting all the distributions received in USD would be much more helpful 
> in 
> > this case. Is there a switch that does this?
> > Thanks!
>
> You can try : -l "commodity == 'USD'"
>
> -- 
> Ismael
>

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